Reynolds Consumer Products Inc
- Stock Issuer and Owners
Reynolds Consumer Products Inc |
Ticker | REYN |
CIK # | 0001786431 |
CUSIP | 76171L106 |
Sector | Manufacturing - Plastics, Foil & Coated Paper Bags |
Address | 1900 W Field Court, Lake Forest, IL 60045 |
Source |
[EDGAR]
|
Form 13F Holdings |
Firm |
Period |
DFND |
Voting |
Shares |
Allspring Global Investments Holdings, LLC |
[2023-03-31]
|
DFND |
1,661,635.0 |
12,862,191.0 |
T. Rowe Price Investment Management, Inc. |
[2023-03-31]
|
SOLE |
3,944,882.0 |
10,029,002.0 |
FMR LLC |
[2023-03-31]
|
DFND |
6,068,834.0 |
6,070,723.0 |
Vanguard Group Inc |
[2023-03-31]
|
SOLE |
0.0 |
5,567,615.0 |
First Trust Advisors LP |
[2023-03-31]
|
SOLE |
2,805,066.0 |
2,805,066.0 |
BlackRock Inc. |
[2023-03-31]
|
SOLE |
2,429,929.0 |
2,556,656.0 |
Fuller & Thaler Asset Management Inc |
[2023-03-31]
|
SOLE |
1,334,609.0 |
1,358,244.0 |
London Co of Virginia |
[2023-03-31]
|
SOLE |
973,906.0 |
1,006,456.0 |
State Street Corp |
[2023-03-31]
|
DFND |
823,117.0 |
958,125.0 |
Geode Capital Management LLC |
[2023-03-31]
|
DFND |
952,880.0 |
952,880.0 |
Morgan Stanley |
[2023-03-31]
|
DFND |
357,111.0 |
703,875.0 |
Dimensional Fund Advisors LP |
[2023-03-31]
|
SOLE |
571,572.0 |
597,489.0 |
Bank of America Corp /DE/ |
[2023-03-31]
|
DFND |
8,130.0 |
596,541.0 |
TD Asset Management Inc |
[2023-03-31]
|
SOLE |
565,800.0 |
565,800.0 |
Thompson Siegel & Walmsley LLC |
[2023-03-31]
|
DFND |
329,122.0 |
552,522.0 |
Bank of New York Mellon Corp |
[2023-03-31]
|
DFND |
501,577.0 |
545,005.0 |
AQR Capital Management LLC |
[2023-03-31]
|
DFND |
500,210.0 |
538,687.0 |
Villere St Denis J & Co LLC |
[2023-03-31]
|
SOLE |
497,509.0 |
501,579.0 |
JPMorgan Chase & Co |
[2023-03-31]
|
DFND |
454,536.0 |
485,406.0 |
Harris Associates L P |
[2023-03-31]
|
SOLE |
449,972.0 |
462,972.0 |
Charles Schwab Investment Management Inc |
[2023-03-31]
|
SOLE |
448,409.0 |
448,409.0 |
SEI Investments Co |
[2023-03-31]
|
SOLE |
426,887.0 |
426,887.0 |
Eagle Ridge Investment Management |
[2023-03-31]
|
SOLE |
319,080.0 |
356,794.0 |
Olstein Capital Management LP |
[2023-03-31]
|
SOLE |
315,000.0 |
315,000.0 |
Man Group plc |
[2023-03-31]
|
DFND |
283,846.0 |
283,846.0 |
Manufacturers Life Insurance Company the |
[2023-03-31]
|
DFND |
260,815.0 |
260,815.0 |
Bahl & Gaynor Inc |
[2023-03-31]
|
SOLE |
0.0 |
253,110.0 |
KLCM Advisors Inc |
[2023-03-31]
|
SOLE |
0.0 |
241,097.0 |
Northern Trust Corp |
[2023-03-31]
|
DFND |
22,811.0 |
232,493.0 |
Richard C. Young & CO., LTD. |
[2023-03-31]
|
SOLE |
0.0 |
220,592.0 |
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